- KeyBank (Cleveland, OH)
- **Location:** 127 Public Square - Cleveland, Ohio 44114 **JOB BRIEF** The Senior Vice President , Portfolio Management is an individual contributor ... products) and amendments to existing exposure. Additionally, the Senior Vice President , Portfolio Management will...roles) for which they will take ownership of ongoing credit monitoring and risk rating, negotiating and… more
- Citigroup (Wilmington, DE)
- …and completeness of data. + Provides Project Management of various deliverables for Portfolio Risk Review chapter. Involvement in rationalization of EUCs (End ... User Computing) used for Portfolio Risk Reviews. + Partners with Clients...quantitative statistical skills to identify, assess and monitor consumer portfolio credit risks + Should have Excellent… more
- PennyMac (Fort Worth, TX)
- …aspirations of homeownership through the complete mortgage journey. A Typical Day The Vice President Mortgage Finance will negotiate, facilitate and manage the ... problems into easily understood components and actionable objectives + Prepare portfolio risk analyses to Pennymac's Investment Committee, including summaries… more
- Citigroup (Irving, TX)
- …multi-year strategy that will transform the front-to-back service model for Credit Risk for our global Wholesale Loans portfolio . Building a single ecosystem ... progress together. The Agile Project Manager will be part of the Credit Risk Technology Team under Wholesale Lending Banking Technology (WLBT). The Wholesale… more
- Banc of California (Fresno, CA)
- …to asset-based lending, term loans, and commercial real estate loans. * Performs independent credit analysis and risk assessment of new and existing credit ... team to obtain due diligence information needed to underwrite the credit request, perform risk rating reviews, and/or monitor covenant compliance and ticklers. *… more
- KeyBank (Cleveland, OH)
- …portfolio management experience. **PREFERRED QUALIFICATIONS** + Prior asset-based lending portfolio experience + Credit skills to analyze collateral ... **JOB BRIEF (PURPOSE)** The Asset Based Lending Group extends credit to corporations based in large part on the...position is responsible for managing all aspects of a portfolio , generally in the range of 12- 17 asset… more
- Bank OZK (Dallas, TX)
- …and usefulness of bank data. + Collaborates with enterprise analytics, technology teams, credit risk management, and corporate finance in support of credit ... Banking ("CIB") loan portfolios including collateral and financial reporting, portfolio analytics, budgeting, data management, contribution to technological enhancements,… more
- BMO Financial Group (Chicago, IL)
- …This person will play a key role in supporting deal execution-assessing credit risk , preparing underwriting materials, and navigating transactions through our ... + Prepares summary, present facts and offer opinions concerning credit worthiness. + Minimizes BMO's risk exposure by adhering to internal credit policies… more
- MUFG (New York, NY)
- …**Responsibilities:** + Conduct analysis and produce specifications for data & reporting needs for Risk Reports ( Credit Risk , Liquidity Risk , Operational ... Portfolio Management team to manage the data product portfolio for Risk & Finance Lines of...product management role, using Agile methodology + Experience in Credit Risk Reporting and Regulatory Reporting and… more
- Zurich NA (Sacramento, CA)
- VP , Senior Underwriting Officer 120688 Zurich North America is looking for a Market Facing Underwriter-Surety (AVP or VP ) to join our Surety Large Contract ... responsible for managing both domestic and international Large Accounts and an assigned portfolio of Large targeted prospects. This is a highly technical and market… more